Orbbec Inc (688322)

Currency in CNY
92.38
+0.81(+0.88%)
Closed·

Ownership

Ownership Overview

Type
Common Stock Held% of Shares OutstandingMarket Value
Mutual Funds & ETFs
48,07M11,75%4,44B
Other Institutional Investors
99,32M24,27%9,17B
Public Companies & Retail Investors
261,77M63,98%24,18B
Total
409,15M100,00%37,8B

Top Institutional Holders

Holder
% of holding
Shares Held
Date Reported
Value (In 1,000s)
Shanghai Yunxin Venture Capital Co., Ltd.9,00%36 822 1203 401 627
Zhuhai Orbbec Zhongxin Equiyt Investment Partnership Enterprise (Limited Partnership)5,36%21 919 5372 024 927
Orbbec Inc esop1,95%7 974 687736 702
China Asset Management Co. Ltd.1,53%6 277 173579 885
AEGON-Industrial Fund Management Co. Ltd.1,53%6 251 901577 551
Meide Innovation Investment Co., Ltd.1,33%5 431 320501 745
Qianhai Renzhi Capital Management (Shenzhen) Co., Ltd.1,32%5 409 522499 732
Qianhai Renzhi Hulian (Shenzhen) Equity Investment Partnership Enterprise (L.P.)1,32%5 409 522499 732
Hong Kong Exchanges and Clearing Limited1,18%4 836 184446 767
Maxwealth Fund Management Co., Ltd1,15%4 702 626434 429

Top Mutual Fund Holders

Holder
% of holding
Shares Held
Date Reported
Value (In 1,000s)
Maxwealth Advanced Manufacturing Premier Selection Mixed Launched Fund1,15%4 702 626434 429
E Fund Management Co., Ltd - CNI Robot Industry Index ETF0,86%3 508 035324 072
Tianhong Asset Management Co., Ltd. - CSI Robot Index ETF0,64%2 628 694242 839
Huaan Media Internet Mixed Securities Investment Fund0,57%2 343 052216 451
Bosera SSE STAR Market Artificial Intelligence Exchange Traded Open-End Index Securities Investment0,51%2 083 051192 432
E Fund CSI Artificial Intelligence ETF0,40%1 637 591151 281
Penghua Fund Management Co., Ltd., - Sse Science And Technology Innovation Board 100 ETF0,34%1 404 042129 705
China Asset Management Co., Ltd. - SSE STAR Artificial Intelligence ETF0,33%1 356 490125 313
Bosera Asset Management Co., Ltd., - Sse Science and Technology Innovation Board 100 ETF0,26%1 057 04297 650
Huashang Runfeng Flexible Allocation Mixed Fund0,23%955 34688 255
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